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Table of Contents
Section I. Background
1. Introduction to commodity price risk management
2. Assessing price risk exposure and risk tolerance
Section II. Forecasting commodity prices
3. Forecasting short-term commodity prices
4. Forecasting long-term commodity prices
Section III. Managing commodity price risk
5. Managing commodity price risk, direct commodity purchases
6. Managing commodity price risk, value chain purchases
Section IV. Cases and additional observations
7. Political risk: the case of heavy rare earth metals
8. Using commodities as collateral: the case of China / Antonio Cesarano
9. Further insights on financial hedging instruments / Ugo Montagnini
Notes
References
Index.
1. Introduction to commodity price risk management
2. Assessing price risk exposure and risk tolerance
Section II. Forecasting commodity prices
3. Forecasting short-term commodity prices
4. Forecasting long-term commodity prices
Section III. Managing commodity price risk
5. Managing commodity price risk, direct commodity purchases
6. Managing commodity price risk, value chain purchases
Section IV. Cases and additional observations
7. Political risk: the case of heavy rare earth metals
8. Using commodities as collateral: the case of China / Antonio Cesarano
9. Further insights on financial hedging instruments / Ugo Montagnini
Notes
References
Index.